Normandin v. Gauthier, C.A. No.: 03-6211 (r.I.super. 2006)

CourtSuperior Court of Rhode Island
DecidedApril 20, 2006
DocketC.A. NO.: 03-6211
StatusPublished

This text of Normandin v. Gauthier, C.A. No.: 03-6211 (r.I.super. 2006) (Normandin v. Gauthier, C.A. No.: 03-6211 (r.I.super. 2006)) is published on Counsel Stack Legal Research, covering Superior Court of Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Normandin v. Gauthier, C.A. No.: 03-6211 (r.I.super. 2006), (R.I. Ct. App. 2006).

Opinion

DECISION
This matter is before the Court on several post-trial motions made by each of the parties to this dispute. Plaintiff Michael C. Normandin ("Plaintiff") and Caetano Real Estate ("Third Party Defendants") have each filed a motion seeking attorney's fees. Third Party Defendants have also filed a motion to attach the property of Defendants Cheryl A. Gauthier, CAG Land Corporation, and CAG Hospitality Corporation ("Defendants"), to secure the broker fees which the Court had awarded in their favor. Defendants have filed a motion to amend judgment or in the alternative, for a new trial, claiming that the Court's prior decision in this matter is strewn with legal error. For the reasons set forth below, Plaintiff's motion for attorney's fees is denied, and Third Party Defendants' motion for attorney's fees is granted in part and denied in part. Third Party Defendants' motion to attach is denied. Defendants' motion to amend judgment is granted to the extent that Plaintiff shall not be entitled to prejudgment interest on his award based upon restitution. On all remaining grounds, Defendants' motion is denied.

Facts and Travel1
Defendants own a piece of commercial property located at 86 Waterman Avenue, North Providence, Rhode Island. In an attempt to sell this property, Defendants entered into a listing agreement with Third Party Defendants. The term of the listing agreement was from February 13, 2003 through August 31, 2003 and provided that Third Party Defendants would be entitled to a 6% commission if they "procure[d] a buyer, or if the subject property is sold or exchanged by [Third Party Defendants], by [Defendants], or by anyone else, during the term of this Agreement." In March, 2003, Plaintiff made an offer on the subject property and paid $1,000 earnest money to Third Party Defendants as escrow agent. Subsequently, on May 8, 2003, Plaintiff and Defendants entered into a written Purchase and Sale Agreement ("Agreement") whereby Plaintiff agreed to buy the real estate. At that time, Plaintiff also paid an additional deposit to Third Party Defendants in the amount of $27,500.

Within the Agreement, Defendants warranted that to the best of their knowledge there were no underground storage tanks ("UST") upon the property and that the property had not been used to treat, deposit, or store any hazardous substances. The Agreement further provided Plaintiff with a forty-five day period in which to inspect the premises. The parties thereafter executed several extension agreements in which the closing date was subsequently set for September 30, 2003.2

During the time period in which Plaintiff and Defendants were executing the extension agreements, Plaintiff commenced arrangements to obtain financing to purchase the property. On September 5, 2003, Plaintiff received a commitment letter from Pitney Bowes Small Business Lending LLC ("Pitney Bowes"), which agreed to loan Plaintiff $300,000, subject to certain conditions being satisfied. Plaintiff also secured a commitment letter from Pawtucket Credit Union on September 12, 2003, which conditionally agreed to lend Plaintiff $250,000. Acting upon these letters, one of Plaintiff's lenders hired Puliafico Environmental, an environmental consultant, who inspected the property on September 18 and 26, 2003.3 The inspection revealed the presence of a vent pipe protruding from the ground, and Puliafico indicated that such was the type of pipe normally connected to USTs. Plaintiff thereafter requested Defendants' permission to conduct a small excavation to determine whether an underground storage tank was present. Defendants, however, refused to allow Plaintiff to conduct this further inspection and maintained that they did not know of any storage tank. As a result of not being able to excavate, the Plaintiff's lenders were unwilling to provide the financing to which they had committed themselves. Consequently, the parties did not close the sale as scheduled, with the Court below finding that it was the Defendants who refused to go forward with the closing.4 (Decision at 7.)

On November 26, 2003, Plaintiff filed a complaint with the Superior Court, No: 03-6211, alleging that Defendants had breached the sales contract and requested "a monetary sum sufficient to compensate [Plaintiff] for the damages he has suffered." In the alternative, Plaintiff claimed that monetary damages would not be sufficient, as property is unique, and consequently, Plaintiff requested that the Court award specific performance, namely the conveyance of the subject property. Defendants responded by filing a counterclaim in which they alleged that Plaintiff was the party who breached the Agreement, that Plaintiff's breach of contract claim was frivolous, and that Plaintiff committed slander of title and abuse of process by filing a Notice of Lis Pendens on Defendants' property. Defendants also brought a third party complaint seeking a return of the deposit Third Party Defendants were holding. Defendants further asserted that Third Party Defendants breached the listing agreement by failing to adequately investigate Plaintiff's financial condition. Third Party Defendants subsequently filed a counterclaim against the Defendants/Third Party Plaintiffs, claiming that they were due their commission for procuring a ready, willing, and able buyer.

After a non-jury trial, the Court issued a decision on May 27, 2005 ("Decision"). The Court found that every contract contains an implied covenant to act in good faith and conduct fair dealing and that Defendants had breached this covenant by refusing to allow Plaintiff to investigate further as to the existence of a UST while simultaneously denying the existence of such a tank. Id. at 11. The Court further found that while Plaintiff had initially been a ready, willing, and able buyer, because the Defendants' actions had caused Plaintiff's financing to fail, Plaintiff was not a ready, willing, and able buyer at the time closing was scheduled. Id. at 12. Consequently, the Court denied Plaintiff's claim for specific performance; nevertheless, as Defendants breached the Agreement, the Court awarded Plaintiff restitution. The Court also denied Defendants' counterclaims and third party claims. Furthermore, because Defendants were found to be responsible for the closing's failing to occur, the Court held that Third Party Defendants were entitled to their commission. Defendants were ordered to bear the costs of the suit.

Following the May 27, 2005 Decision, Plaintiff and Third Party Defendants filed motions for attorney's fees.5 Third Party Defendants filed a second motion, requesting to attach Defendants' property to secure the award in its favor. Defendants, meanwhile, filed a motion to amend judgment, or in the alternative a motion for a new trial, alleging that there are a number of legal errors in the May 27, 2005 Decision. These matters are now before the Court for decision.

Analysis
1) Third Party Defendants' Motion to Attach

Third Party Defendants have moved to attach Defendants' property pursuant to G.L. 1956 § 10-5-2(c), to secure the payment of the award that was rendered on their behalf for their commission. Defendants oppose this motion arguing that a) The statute (§ 10-5-2

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Bluebook (online)
Normandin v. Gauthier, C.A. No.: 03-6211 (r.I.super. 2006), Counsel Stack Legal Research, https://law.counselstack.com/opinion/normandin-v-gauthier-ca-no-03-6211-risuper-2006-risuperct-2006.